Valuation: Special Opportunities Fund, Inc.

Market Cap 140M 123M 113M 106M 199M 13.21B 202M 1.36B 527M 6.51B 526M 514M 22.63B P/E 2024
4.48x
P/E 2025 7.99x
Enterprise Value 140M 123M 113M 106M 199M 13.21B 202M 1.36B 527M 6.51B 526M 514M 22.63B EV / Sales 2024
15x
EV / Sales 2025 20.4x
Free-Float
100%
Yield 2024
7.83%
Yield 2025 13.7%
1 day+0.30%
1 week-3.44%
Current month-6.33%
1 month-5.45%
3 months-6.33%
6 months-14.69%
Current year-10.28%
1 week 13.14
Extreme 13.14
13.65
1 month 13.14
Extreme 13.14
14.25
Current year 13.14
Extreme 13.14
15.26
1 year 13.14
Extreme 13.14
15.98
3 years 10.26
Extreme 10.26
15.98
5 years 10.26
Extreme 10.26
16.27
10 years 7.5
Extreme 7.504
16.27
Manager TitleAgeSince
Director of Finance/CFO 57 01/01/2014
Corporate Secretary 81 18/10/2009
President 60 18/10/2009
Director TitleAgeSince
Director/Board Member 60 18/08/2010
Chairman 81 18/10/2009
Director/Board Member 57 24/12/2009
Date Insider Type Main position Quantity % Market Cap.
06-03Sell

Chairperson

-5,317 0.0501%
06-02Sell

Chairperson

-200 0.0089%
04-01Other

Director

1,961 0.0185%
Change 5-day change 1-year change 3-year change Capi.($)
+0.30%-3.44%-13.57%+19.22% 140M
+1.07%-4.78%+18.87%+104.45% 14.45B
+1.38%-12.52%+49.35%+139.82% 11.69B
-0.29%-2.63%-2.43%+39.47% 8.82B
+0.43%+0.80%-12.39%-11.88% 7.6B
+1.25%-8.06%+31.22%+121.97% 7.36B
+0.38%-2.43%+4.74%+52.81% 6.33B
-0.07%+1.88%+8.13%+36.09% 4.61B
+0.55%+1.78%+11.36%+7.51% 4.1B
-1.64%-6.71% - - 3.71B
Average +0.37%-4.11%+10.59%+56.61% 6.88B
Weighted average by Cap. +0.61%-5.32%+16.53%+74.24%

Financials

2024 2025
Net sales 10.35M 9.09M 8.38M 7.83M 14.69M 977M 14.96M 101M 38.94M 482M 38.88M 38.03M 1.67B 7.64M 6.71M 6.18M 5.78M 10.84M 721M 11.04M 74.15M 28.72M 355M 28.68M 28.05M 1.23B
Net income 36.27M 31.86M 29.36M 27.45M 51.48M 3.42B 52.43M 352M 136M 1.69B 136M 133M 5.86B 21.08M 18.52M 17.06M 15.95M 29.92M 1.99B 30.47M 205M 79.28M 980M 79.16M 77.42M 3.41B
Net Debt - -
Logo Special Opportunities Fund, Inc.
Special Opportunities Fund, Inc. (the Fund) is a closed-end diversified management investment company. The Fund’s investment objective is total return. The Fund may employ strategies designed to capture price movements generated by anticipated corporate events such as investing in companies involved in special situations, including, but not limited to, mergers, acquisitions, asset sales, spin-offs, balance sheet restructuring, bankruptcy, liquidations and tender offers. In addition, the Fund may employ strategies designed to invest in the debt, equity, or trade claims of companies in financial distress when the Advisor perceives a mispricing. Furthermore, the Fund may invest both long and short in related securities or other instruments in an effort to take advantage of perceived discrepancies in the market prices for such securities, including long and short positions in securities involved in an announced merger or acquisition. Bulldog Investors, LLP serves as its Investment Adviser.
Employees
-
Date Price Change Volume
25/06/26 $13.18 +0.30% 36,028
24/06/26 $13.14 -0.66% 22,994
23/06/26 $13.23 -1.07% 40,664
22/06/26 $13.37 -2.05% 55,100
18/06/26 $13.65 +0.18% 23,066